TRANSRAILLHeavy Electrical Equipment

Transrail Lighting LtdProfit & Loss Statement

452.00
-7.03%

Transrail Lighting Ltd Profit & Loss Statement (Annual)

Metric20252024202320222021
Normalized Income326.63 Cr233.20 Cr106.03 Cr67.41 Cr
Net Income From Continuing And Discontinued Operation326.63 Cr233.20 Cr107.57 Cr64.71 Cr
Total Expenses4.60K Cr3.58K Cr2.79K Cr2.08K Cr
Diluted Average Shares12.78 Cr13.43 Cr13.43 Cr13.43 Cr
Basic Average Shares12.70 Cr13.43 Cr13.43 Cr13.43 Cr
Diluted EPS25.5617.378.014.82
Basic EPS25.7217.378.014.82
Diluted NI Availto Com Stockholders326.63 Cr233.20 Cr107.57 Cr64.71 Cr
Net Income Common Stockholders326.63 Cr233.20 Cr107.57 Cr64.71 Cr
Otherunder Preferred Stock Dividend0.000.000.000.00
Net Income326.63 Cr233.20 Cr107.57 Cr64.71 Cr
Minority Interests0.000.000.000.00
Net Income Including Noncontrolling Interests326.63 Cr233.20 Cr107.57 Cr64.71 Cr
Net Income Continuous Operations326.63 Cr233.20 Cr107.57 Cr64.71 Cr
Tax Provision140.50 Cr84.92 Cr40.73 Cr25.46 Cr
Pretax Income467.13 Cr318.12 Cr148.29 Cr90.17 Cr
Other Non Operating Income Expenses45.45 Cr53.48 Cr8.09 Cr2.10 Cr
Net Non Operating Interest Income Expense-197.74 Cr-162.59 Cr-180.56 Cr-133.68 Cr
Interest Expense Non Operating197.74 Cr162.59 Cr107.26 Cr77.04 Cr
Operating Income616.88 Cr424.92 Cr300.55 Cr207.13 Cr
Operating Expense1.12K Cr864.12 Cr625.23 Cr534.83 Cr
Other Operating Expenses905.07 Cr682.59 Cr191.63 Cr174.11 Cr
Depreciation And Amortization In Income Statement56.48 Cr50.31 Cr45.83 Cr37.84 Cr
Depreciation Income Statement56.48 Cr50.31 Cr45.77 Cr37.61 Cr
Gross Profit1.74K Cr1.29K Cr925.78 Cr741.95 Cr
Cost Of Revenue3.47K Cr2.72K Cr2.16K Cr1.54K Cr
Total Revenue5.21K Cr4.01K Cr3.09K Cr2.28K Cr
Operating Revenue5.21K Cr4.01K Cr3.09K Cr2.28K Cr
Tax Effect Of Unusual Items0.000.000.58 Cr-1.06 Cr
Tax Rate For Calcs0.300.270.270.28
Normalized EBITDA721.35 Cr531.02 Cr299.27 Cr208.81 Cr
Net Income From Continuing Operation Net Minority Interest326.63 Cr233.20 Cr107.57 Cr64.71 Cr
Reconciled Depreciation56.48 Cr50.31 Cr45.83 Cr37.84 Cr
Reconciled Cost Of Revenue3.47K Cr2.72K Cr2.16K Cr1.54K Cr
EBITDA721.35 Cr531.02 Cr301.38 Cr205.05 Cr
EBIT664.87 Cr480.71 Cr255.56 Cr167.21 Cr
Net Interest Income-197.74 Cr-162.59 Cr-180.56 Cr-133.68 Cr
Interest Expense197.74 Cr162.59 Cr107.26 Cr77.04 Cr
Rent Expense Supplemental35.52 Cr24.49 Cr19.80 Cr18.42 Cr
Special Income Charges-3.90 Cr2.03 Cr-3.90 Cr7.97 Cr
Other Special Charges-0.57 Cr2.02 Cr-0.02 Cr0.64 Cr
Write Off4.47 Cr-4.06 Cr3.92 Cr-8.61 Cr
Total Other Finance Cost99.75 Cr81.47 Cr61.52 Cr47.60 Cr
Interest Income Non Operating21.14 Cr8.16 Cr4.89 Cr2.64 Cr
Amortization0.12 Cr0.06 Cr0.23 Cr0.41 Cr
Selling General And Administration322.37 Cr241.38 Cr196.62 Cr120.81 Cr
Selling And Marketing Expense191.68 Cr172.78 Cr113.64 Cr82.26 Cr
General And Administrative Expense130.69 Cr68.60 Cr82.98 Cr38.54 Cr
Rent And Landing Fees35.52 Cr24.49 Cr19.80 Cr18.42 Cr
Total Unusual Items-0.23 Cr2.11 Cr-3.76 Cr7.99 Cr
Total Unusual Items Excluding Goodwill-0.23 Cr2.11 Cr-3.76 Cr7.99 Cr
Interest Income21.14 Cr8.16 Cr4.89 Cr2.64 Cr

All figures in ₹ Crores. Source: NSE/BSE filings via Bull Run.

Data from NSE/BSE public filings. Educational purposes only. Bull Run is not SEBI-registered. Not investment advice.